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Commission Regulation (EU) No 139/2014 of 12 February 2014 laying down requirements and administrative procedures related to aerodromes pursuant to Regulation (EC) No 216/2008 of the European Parliament and of the Council (Text with EEA relevance)
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This Annex establishes requirements for the Competent Authorities involved in the certification and oversight of aerodromes, aerodrome operators and apron management service providers.
The Competent Authority designated by the Member State in which an aerodrome is located shall be responsible for the:
certification and oversight of aerodromes and its aerodrome operators;
oversight of providers of apron management services.
When the Competent Authority finds that the alternative means of compliance proposed by the aerodrome operator or the provider of apron management services are in accordance with the Implementing Rules, it shall without undue delay:
notify the applicant that the alternative means of compliance may be implemented and, if applicable, amend the certificate or approval of the applicant accordingly;
inform the Agency of their content, including copies of the relevant documentation;
inform other Member States about alternative means of compliance that were accepted; and
inform the other certified aerodromes located in the Member State of the Competent Authority, as appropriate.
make them available to aerodrome operators and providers of apron management services under its oversight; and
without undue delay notify the Agency.
The Competent Authority shall provide the Agency with a full description of the alternative means of compliance, including any revisions to procedures that may be relevant, as well as an assessment demonstrating that the Implementing Rules are met.
the identification of the unsafe condition;
the identification of the affected design, equipment, or operation;
the actions required and their rationale, including the amended or additional certification specifications that have to be complied with;
the time limit for compliance with the required actions; and
its date of entry into force.
documented policies and procedures to describe its organisation, means and methods to achieve compliance with Regulation (EC) No 216/2008 and its Implementing Rules. The procedures shall be kept up to date and serve as the basic working documents within that Competent Authority for all related tasks;
a sufficient number of personnel, including aerodrome inspectors, to perform its tasks and discharge its responsibilities. Such personnel shall be qualified to perform their allocated tasks and have the necessary knowledge, experience, initial, on-the-job and recurrent training to ensure continuing competence. A system shall be in place to plan the availability of personnel, in order to ensure the proper completion of all related tasks;
adequate facilities and office accommodation to perform the allocated tasks;
a formal process to monitor compliance of the management system with the relevant requirements and adequacy of the procedures, including the establishment of an internal audit process and a safety risk management process.
a system in place to initially and continuously asses that the qualified entity complies with Annex V to Regulation (EC) No 216/2008;
this system and the results of the assessments shall be documented;
established a documented agreement with the qualified entity, approved by both parties at the appropriate management level, which clearly defines:
the tasks to be performed;
the declarations, reports and records to be provided;
the technical conditions to be met in performing such tasks;
the related liability coverage; and
the protection given to information acquired in carrying out such tasks.
the management system’s documented policies and procedures;
training, qualification and authorisation of its personnel;
the allocation of tasks to qualified entities, covering the elements required by ADR.AR.B.010, as well as the details of tasks allocated;
certification process and continuing oversight of aerodromes and aerodrome operators;
declaration process and continuing oversight of providers of apron management services;
the documentation regarding cases of equivalent level of safety and special conditions contained in the certification basis, as well as any Deviation Acceptance and Action Document (DAAD);
the evaluation and notification to the Agency of alternative means of compliance proposed by aerodrome operators and providers of apron management services and the assessment of alternative means of compliance used by the Competent Authority itself;
findings, corrective actions and date of action closure, and observations;
enforcement measures taken;
safety information and follow-up measures;
the use of flexibility provisions in accordance with Article 14 of Regulation (EC) No 216/2008.
compliance with the certification basis and all requirements applicable to aerodromes and aerodrome operators prior to the issue of an approval or certificate;
continued compliance with the certification basis and applicable requirements of aerodromes and aerodrome operators or providers of apron management service subject to declaration obligation; and
implementation of appropriate safety measures as defined in ADR.AR.A.030(c) and (d).
be supported by documentation specifically intended to provide personnel responsible for safety oversight with guidance to perform their functions;
provide the aerodrome operators and providers of apron management services concerned with the results of safety oversight activity;
be based on audits and inspections, including unannounced inspections, where appropriate; and
provide the Competent Authority with the evidence needed in case further action is required, including the measures foreseen by ADR.AR.C.055.
establish and maintain an oversight programme covering the oversight activities required by ADR.AR.C.005;
apply an appropriate oversight planning cycle, not exceeding 48 months.
The certification basis is to be established and notified to an applicant by the Competent Authority and shall consist of:
the certification specifications issued by the Agency which the Competent Authority finds applicable to the design and the type of operation of the aerodrome and which are effective on the date of application for that certificate, unless:
the applicant elects compliance with later effective amendments; or
the Competent Authority finds that compliance with such later effective amendments is necessary;
any provision for which an equivalent level of safety has been accepted by the Competent Authority to be demonstrated by the applicant; and
any special condition prescribed in accordance with ADR.AR.C.025, that the Competent Authority finds necessary to be included in the certification basis.
the certification specifications cannot be met due to physical, topographical or similar limitations related to the location of the aerodrome;
the aerodrome has novel or unusual design features; or
experience from the operation of that aerodrome or other aerodromes having similar design features has shown that safety may be endangered.
a single aerodrome certificate; or
two separate certificates, one for the aerodrome and one for the aerodrome operator.
the applicable certification specifications issued by the Agency, which are applicable to the proposed change and which are effective on the date of the application, unless:
the applicant elects compliance with later effective amendments; or
the Competent Authority finds that compliance with such later effective amendments is necessary;
any other certification specification issued by the Agency that the Competent Authority finds is directly related to the proposed change;
any special condition, and amendment to special conditions, prescribed by the Competent Authority in accordance with point ADR.AR.C.025, the Competent Authority finds is necessary; and
the amended certification basis, if affected by the proposed change.
notify the aerodrome operator about the non-compliance and request further changes; and
in case of level 1 or level 2 findings, act in accordance with point ADR.AR.C.055.
The level 1 finding shall include:
failure to give the Competent Authority access to the aerodrome and aerodrome operator’s or the apron management services provider’s facilities as defined in ADR.OR.C.015 during normal operating hours and after two written requests;
obtaining or maintaining the validity of a certificate by falsification of submitted documentary evidence;
evidence of malpractice or fraudulent use of a certificate; and
the lack of an accountable manager.
In the case of level 1 findings, the Competent Authority shall take immediate and appropriate action to prohibit or limit activities, and if appropriate, it shall take action to revoke the certificate or to deregister the declaration, or to limit or suspend the certificate or declaration in whole or in part, depending upon the extent of the finding, until successful corrective action has been taken by the aerodrome operator or by the provider of apron management services.
In the case of level 2 findings, the Competent Authority shall:
grant the aerodrome operator or the provider of apron management services a corrective action implementation period included in an action plan appropriate to the nature of the finding; and
assess the corrective action and implementation plan proposed by the aerodrome operator or the provider of apron management services and, if the assessment concludes that they are sufficient to address the non-compliance(s), accept these.
Where the aerodrome operator or the provider of apron management services fails to submit an acceptable corrective action plan, or to perform the corrective action within the time period accepted or extended by the Competent Authority, the finding shall be raised to a level 1 finding, and action taken as laid down in point (d)(1).
The Competent Authority shall record all findings it has raised and where applicable, the enforcement measures it has applied, as well as all corrective actions and date of action closure for findings.
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